Special Town Meeting May 27th
NOTICE OF SPECIAL TOWN MEETING
TOWN OF WOODSTOCK
May 27, 2021
The Special Town Meeting of the electors and citizens qualified to vote in town meetings of the Town of Woodstock, Connecticut, will be held on Thursday, May 27, 2021 at 7:00 PM at the Woodstock Middle School, 147B Route 169 in Woodstock. The Special Town Meeting will be held to consider the following actions and to vote on the following resolutions:
1) To elect a Moderator;
2) To approve the proposed budget of the Town of Woodstock for the fiscal year ending
June 30, 2022 in the amount of $25,203,496.00 as has been recommended by the Board of
Finance and to appropriate said sum to meet the recommended expenditures;
3) To transact such other business as may properly come before said meeting; and
4) To adjourn.
Please Note: Pursuant to Section 7-7 of the Connecticut General Statues, the Woodstock Board of Selectmen have on their own initiative removed the foregoing Item #2 for submission to the voters of the Town of Woodstock by referendum to be held on June 3, 2021 from 12:00 Noon to 8:00 PM at the Woodstock Town Hall. Voters approving the questions will vote “Yes” and those opposing the questions will vote “No.” Absentee ballots will be available at the Office of the Town Clerk.
Dated at Woodstock, Connecticut, this 13 day of May, 2021.
Woodstock Board of Selectmen
/s/Jay Swan, First Selectman
/s/Chandler Paquette, Selectman
via Zoom Greg Kline, Selectman
/s/Judy E. Walberg, Town Clerk
TOWN OF WOODSTOCK SPECIAL TOWN MEETING 05/27/2021 Receipts & Expenditures FY 2022 | ||
RECEIPTS | ESTIMATED | PROPOSED |
2020-2021 | 2021-2022 | |
Cash Available for Appropriation | $ 1,159,204 | $ 752,800 |
Prior Taxes, Interest & Leins, MVS | $ 470,000 | $ 500,000 |
State Grants: | ||
Education | $ 4,990,532 | $ 4,990,532 |
Other State Money | $ 16,194 | $ 104,802 |
Other Income | $ 571,600 | $ 628,600 |
Total Cash Balances & Receipts | $ 7,207,530 | $ 6,976,734 |
EXPENDITURES | ||
Ordinary Expenditures: | ||
General Government | $ 1,955,401 | $ 2,076,614 |
Public Safety | $ 892,383 | $ 922,829 |
Highways | $ 1,524,905 | $ 1,524,816 |
Health, Recreation & Welfare | $ 555,209 | $ 563,173 |
Contingency | $ 70,000 | $ 70,000 |
Redemption of Debt | $ 439,768 | $ 300,855 |
Board of Education Budget | $ 19,205,251 | $ 19,745,209 |
Total Expenditures | $ 24,642,917 | $ 25,203,496 |
Less Cash Balances & Receipts | $ 7,207,530 | $ 6,976,734 |
TO BE RAISED BY TAXATION | $ 17,435,387 | $ 18,226,762 |
*SUBJECT TO CHANGE | ||
2021-2022 Proposed Mill Rate | 25.50 | |
2020-2021 Current Mill Rate | 24.50 | |
Proposed Mill Increase | 1 |
Attachment | Size |
---|---|
fy_22_bos_adjusted_budget_05122021.pdf | 141.41 KB |
may_11_bof_approved_prop_46_and_rev.pdf | 873.26 KB |
fy_22_receipts_expenditures_town_meeting_may_27.xlsx | 12.58 KB |
boe_proposed_budget_21-22.pdf | 4.33 MB |
effects_of_prop_46_on_budgets.pdf | 41.57 KB |